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Claus Bajlum holds a master’s degree in economics from Aarhus University (Cand. Oecon i national økonomi) and a PhD in finance from Copenhagen Business School.
Fields of interest include Credit Risk, Credit Spreads, Capital Structure, Corporate Finance, Corporate Valuation, Portfolio Theory, Asset Pricing and Risk Management.
Claus is currently employed as Senior Portfolio Manager and has previously been Head of Credit Investments. He has worked with Asset Management and Risk Management for more than 15 years.
He is also employed as a part time External Lecture at Copenhagen Business School acting as a supervisor of Master Thesis’s.
He holds a Ph.D. in finance with the title ‘Essays on Credit Risk and Credit Derivatives’.
Co-taught a course on Advanced Portfolio theory at HD i Finansiering (Graduate Diploma in Business Administration (Finance)) and acted as a Thesis Supervisor at HD i Finansiering.
Currently he is acting as a supervisor of Master Thesis’s at Cand.Merc FIR and Cand.Merc FIN.